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SVEA

Sveafastigheter

SVEAF ST
SEK 32.75-SEK 0.10  (0.3%)
Estimate
P/E
14.5
EPS
2.26
Beta
0.172
Growth
Revenue, YoY
10.18%
Net income, YoY
83.23%
FCF, YoY
-76.31%
Forecast
P/E (FWD)
14.8
EPS (FWD)
2.214
About the company
Ticker
SVEAF
ISIN
SE0022243812
Country
Sweden
Sector (GICS)
Other
Sveafastigheter AB (publ), a real estate company, owns, builds, and manages residential properties in Sweden. It operates in Property Management and New Development segments. The company also develops and manages rental apartments and condominiums. In addition, it engages in the project development and building rights activities. The company was founded in 2014 and is headquartered in Stockholm, Sweden. Sveafastigheter AB (publ) is a subsidiary of SBB i Norden AB (publ).

Frequently asked questions

What sector does Sveafastigheter (SVEAF) operate in?

Sveafastigheter belongs to the Other sector and operates in the Real Estate Services industry.

What is Sveafastigheter (SVEAF) current stock price?

As of the latest data, Sveafastigheter stock price is SEK 32.75, with a previous close of SEK 32.85. Sveafastigheter lost -SEK 0.10 in the last trading session, representing a -0.3% loss.

What is Sveafastigheter (SVEAF) current market capitalization?

Sveafastigheter market cap is approximately 6.46 billion.

What is Sveafastigheter (SVEAF) Earnings Per Share (EPS)?

The trailing EPS is SEK 2.26, and the forward EPS is SEK 2.21.

What is Sveafastigheter (SVEAF) Price-to-Earnings (P/E) ratio?

Sveafastigheter current P/E ratio is 14.49, with a forward P/E of 14.79.

What is Sveafastigheter (SVEAF) EBITDA?

Sveafastigheter EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is 147.00 million.

Does Sveafastigheter (SVEAF) pay dividends?

No. Sveafastigheter does not pay a dividend.

When is Sveafastigheter (SVEAF) next earnings report?

Sveafastigheter is expected to release its next earnings report on September 30, 2026.

What is Sveafastigheter (SVEAF) beta (volatility) score?

Sveafastigheter has a beta of 0.172, indicating lower volatility than the overall market.